· Governance and Board Relations: Serve as a key financial advisor ensuring transparent financial reporting and participating actively to inform and guide organizational decisions and policy.
· Stakeholder Relations: Develop and maintain relationships with lenders, equity holders, investors, banks, analysts, and other key stakeholders - providing transparent and accurate financial information and insights into the company's performance and strategic direction.
· Strategic Planning: Collaborate with cross-functional teams to develop and execute strategic financial plans aligned with business objectives, leveraging financial insights to identify growth opportunities, optimize resource allocation, and drive operational efficiencies.
· Cash and Receivables Management: Oversee cash flow management, accounts receivable, customer financing solutions, and credit risk assessments, as well as adherence to internal controls and corporate governance standards.
· Continuous Financial Process Improvement: Lead initiatives to enhance finance and accounting processes, tools, and methodologies, leveraging automation and technology to streamline reporting, analysis, and forecasting processes for greater efficiency and accuracy.